Cantey Hanger, Llp v. Philip Gregory Byrd, Lucy Leasing Co., L.L.C., and Pgb Air, Inc.

CourtCourt of Appeals of Texas
DecidedJuly 1, 2015
Docket13-0861
StatusPublished

This text of Cantey Hanger, Llp v. Philip Gregory Byrd, Lucy Leasing Co., L.L.C., and Pgb Air, Inc. (Cantey Hanger, Llp v. Philip Gregory Byrd, Lucy Leasing Co., L.L.C., and Pgb Air, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

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Cantey Hanger, Llp v. Philip Gregory Byrd, Lucy Leasing Co., L.L.C., and Pgb Air, Inc., (Tex. Ct. App. 2015).

Opinion

IN THE SUPREME COURT OF TEXAS 444444444444 NO . 13-0861 444444444444

CANTEY HANGER, LLP, PETITIONER,

v.

PHILIP GREGORY BYRD, LUCY LEASING CO., L.L.C., AND PGB AIR , INC., RESPONDENTS

4444444444444444444444444444444444444444444444444444 ON PETITION FOR REVIEW FROM THE COURT OF APPEALS FOR THE SECOND DISTRICT OF TEXAS 4444444444444444444444444444444444444444444444444444

JUSTICE GREEN joined by CHIEF JUSTICE HECHT , JUSTICE JOHNSON , and JUSTICE WILLETT , dissenting.

The Court holds that Cantey Hanger conclusively established its affirmative defense of

attorney immunity because its alleged conduct occurred within the scope of its representation of

Simenstad in the divorce proceeding. ___ S.W.3d ___, ___. While I agree with much of the Court’s

description of the attorney immunity doctrine and the purposes underlying it, I think the Court

overlooks an important element of the form of attorney immunity at issue in this case—that the

attorney’s conduct must have occurred in litigation—and applies the attorney immunity doctrine in

a manner that results in a much broader, more expansive liability protection. I would hold that

Cantey Hanger’s summary judgment evidence failed to conclusively establish that its alleged conduct occurred in litigation and that summary judgment was therefore improper. I would affirm the court

of appeals’ judgment.

The circumstances in which lawyers may be subject to civil liability to nonclients are wide

and varied. See, e.g., RESTATEMENT (THIRD ) OF THE LAW GOVERNING LAWYERS § 56 (2000) (“[A]

lawyer is subject to liability to a client or nonclient when a nonlawyer would be in similar

circumstances.”). To ensure that attorneys may practice their profession effectively and zealously

advocate for their clients without subjecting themselves to claims from nonclients, rules have

developed to protect certain attorney conduct from civil liability. To fully understand these rules and

the effect of the Court’s opinion on them, it is important to review the development of the attorney

immunity doctrine.

In Texas, the attorney immunity doctrine, as it applies to litigation or other related

proceedings, has developed under two closely related legal theories.1 The first, on which the Court

purports to rely, originated more than a century ago with the broad declaration that “attorneys are

authorized to practice their profession, to advise their clients and interpose any defense or supposed

defense, without making themselves liable for damages.” Kruegel v. Murphy, 126 S.W. 343, 345

1 There are additional legal theories that preclude liability for an attorney’s otherwise actionable conduct. For example, the rule of privity generally prevents third parties from suing an attorney for legal malpractice in any context. See McCamish, Martin, Brown & Loeffler v. F.E. Appling Interests, 991 S.W .2d 787, 792 (Tex. 1999) (recognizing the general rule and an exception to the general rule based on an attorney’s negligent misrepresentations); Barcelo v. Elliott, 923 S.W .2d 575, 577–79 (Tex. 1996). Moreover, a third party’s reliance on an attorney’s representations made in certain adversarial contexts might be unjustified as a matter of law. See Chu v. Hong, 249 S.W .3d 441, 446 n.19 (Tex. 2008); McCamish, Martin, Brown & Loeffler, 991 S.W .2d at 794 (“Generally, courts have acknowledged that a third party’s reliance on an attorney’s representation is not justified when the representation takes place in an adversarial context.”). For other possible examples of immunities or defenses available to an attorney, the comments to the Restatement (Third) of the Law Governing Lawyers section 56 and the entirety of section 57 are instructive. Because there are multiple legal theories that might preclude an attorney’s liability, I believe that parties and courts should clearly articulate the theory and authority on which they rely because the label “attorney immunity”— as Cantey Hanger asserted here—is imprecise.

2 (Tex. Civ. App.—Dallas 1910, writ ref’d). Because the courts of appeals analyzing attorney

immunity under Kruegel generally require the attorney’s conduct to have occurred in the litigation

context, I refer to this theory as “litigation immunity.” See, e.g., Renfroe v. Jones & Assocs., 947

S.W.2d 285, 287–88 (Tex. App.—Fort Worth 1997, writ denied); Bradt v. West, 892 S.W.2d 56, 72

(Tex. App.—Houston [1st Dist.] 1994); Morris v. Bailey, 398 S.W.2d 946, 947–48 (Tex. Civ.

App.—Austin 1966, writ ref’d n.r.e.). Under the second theory, although not raised expressly here

but nevertheless important to the context of attorney immunity in Texas, any statement made in the

due course of or in serious contemplation of a judicial or quasi-judicial proceeding is absolutely

privileged and cannot serve as the basis for a defamation lawsuit. Shell Oil Co. v. Writt, ___ S.W.3d

___, ___ (Tex. 2015); James v. Brown, 637 S.W.2d 914, 916 (Tex. 1982) (per curiam). I refer to this

theory as the “judicial proceedings privilege.”

Nearly thirty years before Kruegel, this Court adopted the Texas Commission of Appeals’

opinion in Poole v. Houston & T.C. Railway Co., 58 Tex. 134 (1882). In that case, a seller sought

to stop the shipment of goods that had been sold on credit to an insolvent buyer. Id. at 135. The

buyer and its attorney then engaged in a fraudulent scheme designed to prevent the seller from

stopping the shipment. See id. at 135, 137. In its simplest form, the scheme required the buyer to

fraudulently assign a bill of lading to the attorney, the attorney to intercept the goods by presenting

the fraudulent bill of lading to a railroad station agent, and the attorney to return the goods to the

buyer. See id. Following the successful execution of the scheme, the seller sued the attorney for

fraud and tried the lawsuit to a jury. See id. The trial court charged the jury “that, to make the

defendant [attorney] liable, it must be shown by the evidence that he was acting, not as agent of [his

3 client], but for himself.” Id. This Court held that the trial court’s charge was erroneous because it

stated that the attorney could not be liable for fraud committed at the behest of his principal. Id. at

137–38. More important to the issue presented today, the Court held that the attorney was not

immune from civil liability because his fraudulent scheme was “entirely foreign to the duties of an

attorney.” Id. at 137.

The opinion in Kruegel was authored against this backdrop. In Kruegel, the plaintiff sued

a law firm for “conspiracy, fraud, and perjury of defendants and their counsel . . . by which plaintiff

wrongfully and unlawfully suffered an adverse judgment wholly beyond his control.” Kruegel, 126

S.W. at 344. Specifically, the plaintiff alleged that the attorneys and other defendants “knew that

plaintiff had a good, legal, valid, and meritorious cause of action,” and that the defendants defeated

the plaintiff’s underlying cause of action through “concerted action and undue influence and

unlawful misuse and usurpation of power of a court.” Id. The plaintiff further alleged that the

defendants, knowing that the plaintiff would pursue an appeal, “unlawfully conspired . . . to defeat

plaintiff’s appeal.” Id. The trial court sustained the law firm’s special exceptions, and the court of

appeals affirmed. Id. at 344–45.

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